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Colgate-Palmolive Company Stock Quote & Summary Data

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*Delayed - data as of Jan. 30, 2015  -  Find a broker to begin trading CL now
Exchange: NYSE
Industry: Consumer Non-Durables
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1 Year Target 72
Today's High /Low  / 
Share Volume
90 Day Avg. Daily Volume This is the average share volume for the past 50 trading days, for NASDAQ stocks and 90 trading days for Non-NASDAQ stocks. This field allows you to compare today's trading to the average daily volume. 3,195,787
Previous Close $ 69.03
52 Week High/Low $ 71.31 / $ 59.75
Market cap “Market Capitalization” is a measure of the estimated value of the common equity securities of the company or their equivalent. It does not include securities convertible into the common equity securities. “Market Capitalization” is derived from the last sale price for the displayed class of listed securities and the total number of shares outstanding for both listed and unlisted securities (as applicable). NASDAQ does not use this value to determine compliance with the listing requirements. $ 61,537,614,431
P/E Ratio 28.61
Forward P/E(1y) A widely used stock evaluation measure. For a security, the Price/Earnings Ratio is given by dividing the Last Sale Price by the Average EPS (Earnings Per Share) Estimate for the specified fiscal time period. The forward P/E refers to the value for the next full year. 22.63
Earnings Per Share (EPS) The EPS listed on our infoquote and Summary Quote page is "12-mos Rolling". EPS represents the portion of a company's profit allocated to each outstanding share of common stock. Net income (reported or estimated) for a period of time is divided by the total number of shares outstanding (TSO) during that period; See growth rate measures for EPS. Our vendor's methodology for the EPS on the infoquote and Summary Quote pages follows the EPS used by the majority of the analysts following the stock, in many cases this is EBITDA EPS. $ 2.36
Annualized dividend $ 1.44
Ex Dividend Date Jan. 21, 2015
Dividend Payment Date Feb. 16, 2015
Current Yield 2.09 %
Beta 0.77

Intraday Chart

ETFs with CL as a Top 10 Holding*

Weighting ETF Name (Symbol) 100-Day Price Change (%)
3.65% Consumer Staples Select Sector SPDR Fund (XLP) +3.32  (7.28%)
3.53% Vanguard Consumer Staples ETF (VDC) +7.75  (6.57%)
2.95% iShares Dow Jones U. S. Consumer Goods Sector Index Fund (IYK) +3.48  (3.44%)
1.02% iShares MSCI All Country World Minimum Volatility Index Fund (ACWV) +2.40  (3.51%)
0.99% PowerShares S&P 500 Low Volatility Portfolio (SPLV) +2.85  (8.02%)
*Data is provided by Barchart.com. Data reflects weightings calculated at the beginning of each month. Data is subject to change.
**Green highlights the top performing ETF by % change in the past 100 days.

Company Description (as filed with the SEC)

Colgate-Palmolive Company (together with its subsidiaries, the “Company” or “Colgate”) is a leading consumer products company whose products are marketed in over 200 countries and territories throughout the world. Colgate was founded in 1806 and incorporated under the laws of the State of Delaware in 1923. For recent business developments and other information, refer to the information set forth under the captions “Executive Overview and Outlook,” “Results of Operations,” “Restructuring and Related Implementation Charges” and “Liquidity and Capital Resources” in Part II, Item 7 of this report. (b) Financial Information about Segments Worldwide Net sales and Operating profit by business segment and geographic region during the last three years appear under the caption “Results of Operations” in Part II, Item 7 of this report and in Note 15, Segment Information to the Consolidated Financial Statements.  ... More ...  

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